Chief Justice TOAL.
Thalma Barton (Appellant) challenges the Administrative Law Court’s (ALC) order affirming the South Carolina Department of Probation, Parole, and Pardon Services’ (DPPPS) decision denying her parole. We reverse.
FACTUAL/PROCEDURAL HISTORY
On May 10,1982, the Abbeville County Grand Jury indicted Appellant for murder.1 Appellant pled guilty on May 11,1982. [399]*399The circuit court sentenced Appellant to life imprisonment. At the time of Appellant’s conviction, South Carolina law provided that an individual serving a life sentence for murder would become eligible for parole following completion of twenty years of her sentence. Appellant initially appeared before the Board of Probation, Parole, and Pardon Services (the Parole Board) on July 6, 1997, after completing twenty years of her sentence through the award of good time credits. The Parole Board denied Appellant parole following that hearing, and on twelve subsequent occasions. Appellant’s most recent appearance, on January 18, 2012, is at issue here.
The Parole Board is comprised of seven members.2 Six of those seven members participated in Appellant’s hearing. Four members voted in favor of granting Appellant parole, while two members voted against granting parole. According to section 24-21-645 of the South Carolina Code, the Parole Board may issue an order authorizing parole signed either by a majority of its members or by all three members meeting as a parole panel; however, at least two-thirds of the members of the Parole Board must authorize and sign orders approving parole for persons convicted of a violent crime as defined in section 16-1-60 of the South Carolina Code. S.C.Code Ann. § 24-21-645(A) (Supp.2012). Prior to 1987, section 24-21-645 provided that the Parole Board may authorize parole when authorized by a majority of its members. See id. § 24-21-645 (Supp.1984) (emphasis added).
Although two-thirds of the members of the Parole Board participating in Appellant’s hearing voted in favor of parole, the Parole Board ultimately denied parole. As explained in detail, infra, the Parole Board interprets section 24-21-645 to require an inmate receive a two-thirds majority vote of the Parole Board’s seven members, thus meaning Appellant needed five votes, rather than four, to receive parole. In denying Appellant’s parole, the Parole Board cited the nature, seriousness, and indication of violence of her offense.
[400]*400Appellant filed a notice of appeal with the ALC, claiming that the Parole Board erred by applying the current version of section 24-21-645 instead of the version of that statute in effect at the time Appellant Committed her crime. Appellant argued that the version of section 24-21-645 in effect at the time of her conviction required only a majority of the Parole Board vote in favor of parole, and that application of the current version of section 24-21-645, and its two-thirds requirement, constituted an ex post facto violation. In the alternative, Appellant also asserted that she should receive parole under the current version of section 24-21-645. According to Appellant, the six members of the Parole Board who participated in her hearing represented a quorum, and she received two-thirds of that quorum, satisfying the statutory conditions for parole.
The ALC rejected Appellant’s claims, holding that retroactive application of section 24-21-645’s two-thirds requirement did not constitute an ex post facto violation, and that the General Assembly intended the term “members of the board” to indicate members of the full Parole Board, and not members of the Parole Board attending or voting at a parole hearing. Appellant appealed the ALC’s order to the court of appeals, and this Court certified the case for review pursuant to Rule 204(b), SCACR.
ISSUES
I. Whether the ALC erred in failing to find the Parole Board’s retroactive application of section 24-21-645 of the South Carolina Code constituted an ex post facto violation.
II. Whether the ALC erred in failing to reject the Parole Board’s interpretation of the two-thirds majority requirement of section 24-21-645 of the South Carolina Code.
STANDARD OF REVIEW
In an appeal from an ALC decision, the Administrative Procedures Act (APA) provides the appropriate standard of review. S.C.Code Ann. § l-23-610(B) (Supp.2012).
[401]*401This Court will only reverse the decision of an ALC if that decision is:
(a) in violation of constitutional or statutory provisions;
(b) in excess of the statutory authority of the agency;
(c) made upon unlawful procedure;
(d) affected by other error of law;
(e) (a) clearly erroneous in view of the reliable, probative, and substantial evidence on the whole record; or
(f) arbitrary or capricious or characterized by an abuse of discretion or clearly unwarranted exercise of discretion.
Id. “The [CJourt may not substitute its judgment for the judgment of the [ALC] as to the weight of the evidence on questions of fact.” Id. (alterations added). In determining whether the ALC’s decision was supported by substantial evidence, this Court need only find, looking at the entire record on appeal, evidence from which reasonable minds could reach the same conclusion that the ALC reached. Hill v. S.C. Dep’t of Health and Envtl. Control, 389 S.C. 1, 9-10, 698 S.E.2d 612, 617 (2010).
LAW/ANALYSIS
1. Applicable Law
Section 24-21-645 of the South Carolina Code provides in pertinent part:
(A) The board may issue an order authorizing the parole which must be signed either by a majority of its members or by all three members meeting as a parole panel on the case ninety days prior to the effective date of the parole; however, at least two-thirds of the members of the board must authorize and sign orders authorizing parole for persons convicted of a violent crime as defined in Section 16-1-60. A provisional parole order shall include the terms and conditions, if any, to be met by the prisoner during the provisional period and terms and conditions, if any, to be met upon parole.
S.C.Code Ann. § 24-21-645 (Supp.2012) (emphasis added).3 However, prior to section 24-21-645’s amendment as part of [402]*402Act No. 462, the Omnibus Criminal Justice Improvement Act of 1986, the statute did not contain the two-thirds provision emphasized above, and provided:
The Board may issue an order authorizing the parole which shall be signed either by a majority of its members or by all three members meeting as a parole panel on the case, ninety days prior to the effective date of the parole.
Id. § 24-21-645 (Supp.1984).
The gravamen of Appellant’s complaint is that the preamendment version of section 24-21-645 should apply to her case because she committed her crime prior to the amend[403]*403ment. Alternatively, Appellant asserts that she should have been granted parole even under the amended statute, as both the Parole Board and the ALC interpreted that statute erroneously.
2. Ex Post Facto Violation
Appellant argues that the Parole Board’s retroactive application of section 24-21-645 constitutes an ex post facto violation, and that the ALC performed a flawed ex post facto analysis. We agree.
The United States and South Carolina Constitutions specifically prohibit the passage of ex post facto laws. U.S. Const, art. I, §§ 9,10; S.C. Const, art. 1, § 4. A measure is an ex post facto law when it retroactively alters the definition of a crime or increases the punishment for a crime. Jernigan v. State, 340 S.C. 256, 261, 531 S.E.2d 507, 509 (2000). The relevant inquiry regarding an increase in punishment is whether a legislative amendment “produces a sufficient risk of increasing the measure of punishment attached to the covered crimes.” Id. (quoting Cal. Dep’t of Corr. v. Morales, 514 U.S. 499, 509, 115 S.Ct. 1597, 131 L.Ed.2d 588 (1995)). If the amendment produces only a “speculative and attenuated possibility” of increasing an inmate’s punishment, then there is no ex post facto violation. Id. Furthermore, a change in law that merely affects a mode of procedure, but does not alter substantial personal rights is not ex post facto. State v. Huiett, 302 S.C. 169, 172, 394 S.E.2d 486, 487 (1990) (citing Miller v. Florida, 482 U.S. 423, 107 S.Ct. 2446, 96 L.Ed.2d 351 (1987)). A court should look to the effect of the statute on the “quantum of punishment” to determine whether an amendment offends the ex post facto prohibition. Id.
The ALC rejected Appellant’s claim as speculative, and characterized the two-thirds rule change as “purely procedural,” based primarily on a line of cases previously analyzed, or decided, by this Court: Morales, supra, Roller v. Gunn, 107 F.3d 227 (4th Cir.1997), and Jernigan v. State, 340 S.C. 256, 531 S.E.2d 507 (2000).
[404]*404In Morales, the United States Supreme Court analyzed the California State Legislature’s amendment of a parole statute. A jury convicted Morales of first degree murder in 1971. 514 U.S. at 502, 115 S.Ct. 1597. While serving his sentence, Morales met and later married Lois Washabaugh. Id. In April 1980, the state released Morales to a Los Angeles halfway house. Id. Shortly thereafter, in July 1980, police recovered a human hand on a Los Angeles freeway, and fingerprint identification matched the hand to Washabaugh. Id. Police never located Washabaugh’s body, but discovered her car, purse, and credit cards in Morales’s possession. Id. Morales pleaded nolo contendere to second degree murder, and received a sentence of fifteen years’ imprisonment to life. Id. Morales qualified for parole beginning in 1990. Id.
The Board of Prison Terms (the Board) held a hearing to determine Morales’s suitability for parole. Id. at 502-03, 115 S.Ct. 1597. California law required the Board to set a release date for Morales unless it found public safety required a “more lengthy period of incarceration.” Id. at 503, 115 S.Ct. 1597. The Board found Morales unsuitable for parole based on numerous reasons including his history of violence and heinous nature of his offense. Id. The law in place at the time Morales murdered Washabaugh entitled him to subsequent annual suitability hearings. Id. However, in 1981, the California legislature authorized the Board to defer subsequent suitability hearings for up to three years if the prisoner’s previous convictions included more than one offense which involved the taking of a life and if the Board found it unreasonable to expect that parole would be granted during the following years and stated a basis for that finding. Id. In consideration of the reasons that led the Board to find Morales unsuitable for parole, the Board determined it unreasonable to expect Morales would be found suitable for parole in 1990 or 1991, and scheduled Morales’s next hearing for 1992. Id.
Morales filed a habeas corpus petition asserting that the 1981 amendment, as applied to him, constituted an ex post facto law. Id. at 504, 115 S.Ct. 1597. The United States Court of Appeals for the Ninth Circuit agreed, holding that because, “a prisoner cannot be paroled without first having a parole hearing ... any retrospective law making parole hearings less accessible would effectively increase the [prisoner’s] [405]*405sentence and violate the ex post facto clause.” Id. Accordingly, the Ninth Circuit held that the constitution required the Board to provide Morales with annual parole suitability hearings, as required by the law in effect at the time he committed his crime. Id.
The Supreme Court reversed, rejecting Morales’s view that the ex post facto clause forbids any legislative change that has any conceivable risk of affecting a prisoner’s punishment. Id. at 508-09, 115 S.Ct. 1597 (holding that some “speculative, attenuated risk of affecting a prisoner’s actual term of confinement by making it more difficult for him to make a persuasive case for early release, but that fact alone cannot end the matter for ex post facto purposes”). According to the Supreme Court, the proper evaluation of the 1981 amendment centered on whether the amendment produced a sufficient risk of increasing the measure of punishment attached to the covered crime. Id. at 509, 115 S.Ct. 1597. The Supreme Court noted that the 1981 amendment applied only to offenders for whom the likelihood of release on parole was quite remote, and that the legislature intended the amendment to relieve the Board from the costly responsibility of scheduling parole hearings for prisoners with little to no chance of being released. Id. at 510-11, 115 S.Ct. 1597 (citing In re Jackson, 39 Cal.3d 464, 216 Cal.Rptr. 760, 703 P.2d 100, 105 (1985), relying on California legislative history). Additionally, the amendment did not address initial hearings, only subsequent hearings. Id. at 511, 115 S.Ct. 1597. Therefore, the amendment had no effect on any prisoner unless the Board found the prisoner unsuitable for parole, and that it was unreasonable to expect that parole would be granted at a hearing in the following years. Id. Finally, the Supreme Court noted that the Board retained the authority to tailor the frequency of subsequent suitability hearings to the particular circumstances of the individual prisoner, and therefore, “the narrow class of prisoners covered by the amendment cannot reasonably expect that their prospects for early release on parole would be enhanced by the opportunity of annual hearings.” Id. at 511-12, 115 S.Ct. 1597. In sum, the Supreme Court held the 1981 amendment created only the “most speculative and attenuated risk of increasing the measure of punishment attached to the [406]*406covered crime,” and thus, did not constitute an ex post facto law. Id. at 514, 115 S.Ct. 1597.
The Morales decision played a critical role in the United States Court of Appeals for the Fourth Circuit’s disposition of the defendant’s arguments in Roller v. Cavanaugh, 984 F.2d 120 (4th Cir.1993) (Roller I), and Roller v. Gunn, 107 F.3d 227 (4th Cir.1997) (Roller II).
In 1983, Gary Lee Roller was convicted of voluntary manslaughter and grand larceny and sentenced to consecutive terms of thirty years’ imprisonment and five years’ imprisonment. Roller I, 984 F.2d at 121. In December 1990, Roller filed a complaint under 42 U.S.C. § 1983 challenging application of the South Carolina General Assembly’s amendments to section 24-21-645 on ex post facto grounds. Id. The amendments mandate that a prisoner convicted of committing a violent crime may only have her case reviewed biannually after an initial denial, rather than annually. Id. Additionally, as discussed supra, the amendments require a two-thirds majority of the parole board to authorize parole for violent offenders rather than a simple majority. Id. The district court found for DPPPS, but the Fourth Circuit reversed. See Roller I, 984 F.2d at 124 (“South Carolina has undoubtedly applied its new statute to ‘alter the conditions of ... [Roller’s] preexisting parole eligibility.’ Indeed, it has effectively ‘revoked’ eligibility for an extra year following a denial.” (alteration in original) (remanding with instructions to grant declaratory relief in Roller’s favor)).
However, in April 1995, in light of the Supreme Court’s Morales decision, DPPPS moved for modification of the court order declaring the retrospective application of the section 24-21-645 amendments unconstitutional. Roller II, 107 F.3d at 230. In June 1996, based on Morales, the district court concluded that application of section 24-21-645 of the South Carolina Code to Roller did not violate the Ex Post Facto Clause. Id. (citing Roller v. Gunn, 932 F.Supp. 729, 730 (D.S.C.1996)). The Fourth Circuit affirmed, holding that South Carolina’s amendments bore a “strong resemblance” to the California statute sustained in Morales. Id. at 235. The court noted the similarities between the South Carolina and California laws, including that neither law increased the actual [407]*407sentence of imprisonment and that both laws applied only to prisoners convicted of violent crimes, “prisoners which the South Carolina legislature determined were unlikely to receive release on parole.” Id. Additionally, neither law affected the date of any prisoner’s initial parole suitability hearing, only the timing of subsequent hearings, and did not alter the substantive parole qualification standards. Id. at 235-86. Therefore, the Fourth Circuit concluded:
Roller’s claim, however, boils down to mere speculation about his release. Such conjecture is insufficient under Morales to establish a violation of the Ex Post Facto Clause. In South Carolina, the determination of parole is subject to the broad discretion of the [Parole Board]. Forecasts on how the board might decide to exercise its discretion in any given case are merely in the nature of conjecture. Roller simply fails “to provide support for his speculation that ... prisoners subject to [24-21-645] might experience an unanticipated change that is sufficiently monumental to alter their suitability for release on parole.” Furthermore, as the district court noted, there is nothing on the face of section 24-21-645 that limits the [Parole Board’s] authority to schedule expedited hearings if presented with suitable circumstances. In Morales, this same consideration led the Supreme Court to conclude that even if a prisoner’s circumstances drastically changed during the period that his parole hearing had been delayed, “there is no reason to conclude that the amendment will have any effect on any prisoner’s actual term of confinement.”
Id. at 236 (alterations in original).
The Fourth Circuit also addressed the pertinent issue in the instant case, the two-thirds requirement. Id. The Fourth Circuit analogized that provision to the statute examined by the Supreme Court in Dobbert v. Florida, 432 U.S. 282, 97 S.Ct. 2290, 53 L.Ed.2d 344 (1977). In Dobbert, the trial judge overruled the jury’s recommendation of life imprisonment and imposed a death sentence. Id. at 286-87, 97 S.Ct. 2290. The defendant claimed that the statute which permitted this decision violated the Ex Post Facto Clause because under the preamendment statute the jury made the final death penalty determination. Id. at 287-88, 292, 97 S.Ct. 2290. The Supreme Court rejected his claim as speculative, holding “it [408]*408certainly cannot be said with assurance that, had his trial been conducted under the old statute, the jury would have returned a verdict of life.” Id. at 294, 97 S.Ct. 2290. In Roller II, the Fourth Circuit viewed the defendant’s challenge of the two-thirds requirement speculative as well, holding:
Like the claim of the petitioner in Dobbert, Roller’s claim is speculative. There is no way of knowing whether a particular board member’s vote would be the same under the new two-thirds majority rule as it would have been under the old rule. As the Supreme Court noted in Dobbert, “[The jurors] may have chosen leniency when they knew that that decision rested ultimately on the shoulders of the trial judge, but might not have followed the same course if their vote were final.” Similarly, parole board members might be more likely to vote for granting parole under the two-thirds rule, knowing that any favorable decision must be concurred in by a greater number of their colleagues.
Roller II, 107 F.3d at 236-37 (alteration in original).
The dissent in Roller concluded that South Carolina’s amendments differed significantly from the California statute analyzed in Morales. Id. at 238-39 (Hall, J., dissenting). For one, the California statute applied only to prisoners “convicted of more than one offense involving the taking of a life.” Id. at 238. However, the South Carolina statute applied to all inmates convicted of a violent crime, including crimes for which only one to ten years’ imprisonment is prescribed. Id. Furthermore, the default requirement under the California statute is annual review, but under the South Carolina statute the default requirement is two years, with no provision requiring the Parole Board to find that deferral is warranted. Id. at 239.
The dissent assessed the two-thirds requirement in conjunction with the other changes to South Carolina’s parole statute. Id. at 239-40 (“The majority considers this change apart from the other retrospective changes in the statute and declares that any ex post facto challenge is foreclosed ... As a preliminary matter, I believe the two-thirds requirement must be considered together with other changes to the parole statute.”). According to the dissent, if the two-thirds requirement made parole tougher to attain, the factor must be examined in
[409]*409conjunction with the amendment’s decrease in the frequency of hearings to determine whether the overall changes to the statute violated the Ex Post Facto Clause. Id. at 240. The dissent’s ultimate conclusion regarding South Carolina’s amended parole statute bears repeating:
The majority also notes that Morales compels upholding the two-thirds requirement because to do otherwise would amount to the judicial “micromanagement” that the Court cautioned against. Morales does no such thing. The California statute involved an exceedingly speculative possibility that the punishment of the affected inmates would be increased: The statute applies only to multiple murderers, presumably a small fraction of the inmate population; the Board has to affirmatively decide that a hearing should be deferred and to explain why; the inmate might be able to appeal the deferral decision, and the Board could, of its own volition, advance a hearing date where a change in circumstances warranted; and, significantly, under California’s system, the determination of parole suitability often precedes the actual release date by several years. South Carolina’s amendments, on the other hand, affect persons convicted of relatively minor crimes; mandate automatic deferrals, with no provision for an administrativé appeal; increase the percentage of the Board that must vote to grant parole. In addition, there is no indication that a grant of parole is not ordinarily followed promptly by actual release. If Morales is our guide, the South Carolina statute increases the punishment by decreasing the likelihood of release on parole to a degree that offends the Ex Post Facto Clause.
Id.
This Court found the dissent’s reasoning persuasive in its analysis of the petitioner’s claim in Jernigan v. State, 340 S.C. 256, 531 S.E.2d 507 (2000). In that case, the petitioner filed a post-conviction relief (PCR) action challenging the change in his parole review from annually to biannually. Id. at 260, 531 S.E.2d at 509. The Court previously analyzed this parole review change in Gunter v. State, 298 S.C. 113, 378 S.E.2d 443 (1989). In that case, the Court held that “the standards governing petitioner’s parole eligibility have not been changed,” but instead, “only the frequency with which peti[410]*410tioner can be reconsidered for parole has been altered.” Id. at 115-16, 378 S.E.2d at 444.
However, the Court overruled Gunter in Griffin v. State, 315 S.C. 285, 433 S.E.2d 862 (1993), cert. denied, 510 U.S. 1093, 114 S.Ct. 924, 127 L.Ed.2d 217 (1994). The Griffin court adopted the Fourth Circuit’s decision in Roller I, finding that the change in biannual review was not merely procedural. Griffin, 315 S.C. at 288, 433 S.E.2d at 864 (“The Fourth Circuit’s analysis is compelling. It is difficult to determine where the difference lies between a review once every two years and once every eight years. This gray area tortures the ex post facto analysis between a change in the standards for review and a procedural change in timing.”).
In Jernigan, this Court found the Roller II dissent’s analysis more persuasive than that of the Roller II majority, stating:
The South Carolina statute which calls for biannual parole review hearings for all violent offenders is clearly distinguishable from the very specific statute at issue in Morales. Under South Carolina law, there is [sic] a variety of crimes defined as violent, and the possible sentences for these crimes'range from one year to life imprisonment. In Morales, the statute applied to a very well-defined set of inmates — multiple killers — while the South Carolina statute applies equally to a variety of inmates — from murderers to marijuana traffickers — and many of these inmates will likely be paroled at some point. Moreover, the South Carolina statute does not require any specific findings in order to defer parole review for two years; instead, the two-year interval is automatic after an initial denial of parole.
Jernigan, 340 S.C. at 263-64, 531 S.E.2d at 511. Thus, the Court determined that the change from annual parole eligibility review to biannual review produced a sufficient risk of increasing the measure of punishment attached to covered crimes, and any retroactive application of section 24-21-645 constituted an ex post facto violation. Id. at 264-65, 531 S.E.2d at 512 (“Accordingly this Court’s holding in Griffin v. State, supra, that retroactive application of the statute increasing parole review to every two years constitutes an ex post facto violation, remains the law in South Carolina.”).
[411]*411The Jernigan Court did not address section 24-21-645’s two-thirds requirement. In the instant case, the ALC acknowledged that the Jemigan Court agreed with the dissent in Roller II regarding biannual review, but held this fact is not dispositive of whether the retroactive application of the two-thirds requirement is also a violation of the Ex Post Facto Clause. According to the ALC, this Court’s Jemigan decision concerned the Parole Board’s lack of discretion in reviewing parole for inmates convicted of violent crimes and to whom the Parole Board previously denied parole, noting “[t]here was an automatic increase in review from one year to two, regardless of the nature of the crime for which the inmate was convicted, and regardless of the sentence the inmate was serving.” The ALC found that in the instant case, the statutory change in the number of votes to approve parole has no bearing on how often the Parole Board members voted, and has no impact on the discretion of the Parole Board or its decision-making process.4
[412]*412We disagree with the ALC’s conclusions and hold that this Court’s decision in Jemigan is controlling. The Jemigan Court’s rejection of the “speculation” argument regarding biannual review applies with equal force to the two-thirds requirement.5 The distinctions between the California statute analyzed in Morales and the biannual review amendment of section 24-21-645 are evident in the two-thirds requirement, as well. The two-thirds requirement applies to a wide-variety of crimes, rather than a well-defined set of inmates, the two-thirds requirement is the default provision for all violent crimes regardless of the crime’s nature, and the requirement compels an offender to convince an additional member of the Parole Board. This certainly “produces a sufficient risk of increasing the measure of punishment,” attached to a violent crime. See Jernigan, 340 S.C. at 264-65, 531 S.E.2d at 511-12 (relying on Lynce v. Mathis, 519 U.S. 433, 444-45, 117 S.Ct. 891, 137 L.Ed.2d 63 (1997), for the proposition that if a statute effectively increases the “quantum of punishment,” then retroactive application is unconstitutional).
Moreover, section 24-21-645 contains none of the restraints and safeguards critical to the analysis by the majority in Morales, or the dissent in Roller II.6
[413]*413Simply put, prior to the amendment, Appellant merely needed to obtain favorable votes from a majority of the Parole Board. Following the amendment, Appellant must obtain favorable votes from two-thirds of the Parole Board. This amendment is not procedural, but poses a sufficient risk of increasing the measure of punishment attached to Appellant’s crime and other similarly situated individuals. Additionally, this risk is compounded by the Parole Board’s position that Appellant must convince two-thirds of the entire Parole Board, and not merely those members who participate in her hearing.7 Moreover, this change affects an inmate’s substantial personal right to statutorily correct parole review. See Cooper v. S.C. Dep’t of Prob., Parole, and Pardon Servs., 377 S.C. [414]*414489, 499, 661 S.E.2d 106, 111-12 (2008) (“Parole is a privilege and Cooper has no right to be paroled; however, Cooper does have a right to require the [Parole Board] to adhere to statutory requirements in rendering a decision.” (alteration added)).
It is clearly more difficult to convince a two-thirds majority of the Parole Board to grant parole, than a simple majority, and the identical issues posed by retroactive application of the biannual review procedure apply similarly to the two-thirds requirement.8
3. The Meaning of “Two-Thirds”
Appellant argues that the ALC’s construction of section 24-21-645 is erroneous and should be rejected. We agree.
Statutory interpretation is a question of law subject to de novo review. Town of Summerville v. City of N. Charleston, 378 S.C. 107, 110, 662 S.E.2d 40, 41 (2008) (citation omitted). “The cardinal rule of statutory construction is to ascertain and effectuate the intent of the legislature.” Media Gen. Commc’ns, Inc. v. S.C. Dep’t of Revenue, 388 S.C. 138, 147-48, 694 S.E.2d 525, 529 (2010) (quoting Charleston Cnty. Sch. Dist. v. State Budget & Control Bd., 313 S.C. 1, 5, 437 S.E.2d 6, 8 (1993)). Where the statute’s language is plain, unambiguous, and conveys a clear, definite meaning, the rules of statutory interpretation are not needed and the court has no right to impose another meaning. Gay v. Ariail, 381 S.C. 341, 345, 673 S.E.2d 418, 420 (2009). “If the statute is ambiguous ... courts must construe the terms of the statute.” Town of Mt. Pleasant v. Roberts, 393 S.C. 332, 342, 713 S.E.2d 278, 283 (2011) (citation omitted). The statutory language [415]*415must be construed in light of the intended purpose of the statute. Id. This Court will not construe a statute in a way which leads to an absurd result or renders it meaningless. See Lancaster Cnty. Bar Ass’n v. S.C. Comm’n on Indigent Defense, 380 S.C. 219, 222, 670 S.E.2d 371, 373 (2008) (“In construing a statute, this Court will reject an interpretation which leads to an absurd result that could not have been intended by the legislature.”). “The construction of a statute by the agency charged with its administration will be accorded the most respectful consideration and "will not be overruled absent compelling reasons.” Dunton v. S.C. Bd. of Exam’rs In Optometry, 291 S.C. 221, 223, 353 S.E.2d 132, 133 (1987) (citations omitted).
The Parole Board is comprised of seven members. S.C.Code Ann. § 24-21-10(B) (Supp.2012). Section 24-21-645 of the South Carolina Code provides that the Parole Board may issue an order authorizing parole signed by either a majority of its members or by all three members meeting as a panel. Id. § 24-21-645 (Supp.2012). However, “at least two-thirds of the members of the [Parole Board] must authorize and sign orders authorizing parole for persons convicted of a violent crime as defined in section 16-1-60 of the South Carolina Code.” Id. Section 24-21-645 does not specify a quorum for Parole Board meetings but “in the absence of any statutory or other controlling provision, the common-law rule that a majority of the whole board is necessary to constitute a quorum applies, and the board may do no valid act in the absence of a quorum.” Garris v. Governing Bd. of S.C. Reins. Facility, 333 S.C. 432, 453, 511 S.E.2d 48, 59 (1998) (emphasis added); see also James v. S.C. Dep’t of Prob., Parole, and Pardon Servs., 377 S.C. 564, 569, 660 S.E.2d 288, 291 (Ct.App.2008) (“Here, five members of the [Parole Board] were present, and each voted to deny ... parole. A unanimous and majority decision was reached by a quorum in this hearing.” (alterations added)).
Appellant interprets “members of the board” in section 24-21-645 to mean those members of the Parole Board present and voting at a parole hearing. Appellant argues that conversely, her interpretation does not include members who did not attend the hearing. DPPPS counters that, even though a quorum of the Parole Board is all that is required to conduct [416]*416business, the statute’s “members of the board” language means that an inmate convicted of a crime must get at least two-thirds of the seven members of the Parole Board.
The ALC agreed with DPPPS, and held that “members of the board” connotes the entire seven members of the Parole Board. According to the ALC, because section 24-21-10(B) of the South Carolina code defines the Parole Board as composed of seven members, section 24-21-645(A)’s two-thirds requirement pertaining to “members of the board,” means that an inmate convicted of a violent crime must obtain favorable votes from at least two-thirds of the seven Parole Board members. The ALC reasoned that the portion of section 24-21-645(A) permitting the Parole Board to authorize parole for non-violent offenses by simple majority when read in conjunction with the two-thirds requirement demonstrates that the General Assembly “meant for the term ‘members of the board’ to mean members of the full Parole Board, and not members of the [Parole Board] attending or voting at a parole hearing.” The ALC’s interpretation is wrong.
Section 24-21-645 is ambiguous, and thus susceptible to more than one interpretation. Obviously, the statute can be read to mean that an offender must receive votes from two-thirds of the members of the entire Parole Board, regardless of how many members actually attend a hearing. However, as Appellant notes, the terms “majority” and “two-thirds” as utilized by section 24-21-645 are not static terms, and their meaning changes depending on their application. Thus, the fact that the General Assembly used such terms does not evince intent to require inmates convicted of violent offense to obtain favorable votes from five members of the Parole Board regardless of the actual composition of the Parole Board at the inmates hearing.9
[417]*417Requiring Appellant to only obtain votes from Parole Board members actually present at her hearing comports with the common meaning and understanding of the term “quorum.” In the absence of a controlling provision, the common-law rule that a majority of the whole board is necessary to constitute a quorum applies. Garris, 333 S.C. at 453, 511 S.E.2d at 59. Section 24-21-645 does not specify the number of Parole Board members that must review the parole suitability of an inmate convicted of a violent crime, but also does not expressly exclude the common-law quorum principle. See, e.g., Doe v. Marion, 361 S.C. 463, 473, 605 S.E.2d 556, 561 (Ct.App.2004), aff'd, 373 S.C. 390, 645 S.E.2d 245 (2007) (“[A] statute is not to be construed in derogation of common law rights if another interpretation is reasonable.” (alteration added)). Thus, the [418]*418statute does not demonstrate the General Assembly’s intent to frustrate the ability of a valid DPPPS quorum to execute the statutory duties of the department.
We agree with Appellant’s contention that the interpretation advanced by DPPPS invites absurd results. For example, if the Parole Board reviewing the parole suitability of an inmate convicted of a violent crime consisted of only four members, a unanimous decision to grant parole would nonetheless result in a parole denial.10 Essentially, the current DPPPS interpretation treats nonparticipating members of the Parole Board as “no” votes. DPPPS fails to present any authority for what is the illogical position that the General Assembly intended for non-participating Parole Board members to arbitrarily count against inmates convicted of a violent crime, or that the General Assembly intended for a meeting of the Parole Board convened with only a quorum to result in a continuous denial of parole to inmates convicted of a violent crime. Put another way, DPPPS fails to bring forward any rationale as to why absent Parole Board members could not just as well be treated as “yes,” votes.11
[419]*419The ALC erred in interpreting section 24-21-645’s two-thirds provision to require Appellant to obtain fivé votes instead of four. The ALC’s interpretation automatically views non-participating Parole Board members as “no” votes, and ignores the fact that Appellant obtained favorable votes from two-thirds of the Parole Board members participating in her hearing. This interpretation of section 24-21-645 is out of step with this Court’s rules of statutory construction. Moreover, if the General Assembly intended for section 24-21-645 to require inmates convicted of a violent crime to obtain approval from two-thirds of the “full” Parole Board, the statute would contain language to that effect. Appellant obtained favorable votes from two-thirds of the Parole Board and should have been granted parole even if section 24-21-645 is applied retroactively.
CONCLUSION
We hold that retroactive application of section 24-21-645 constitutes an ex post facto violation, and inmates convicted of a violent crime must only convince two-thirds of the Parole Board members participating in their hearing. Appellant received the requisite number of votes from the Parole Board, and thus, should be granted parole. Thus, we remand for proceedings consistent with this opinion. The ALC’s decision is therefore,
REVERSED.
BEATTY and HEARN, JJ., concur.
PLEICONES, J., concurring in result in a separate opinion.
KITTREDGE, J., concurring in result in a separate opinion.